Dongfang Electronics Co., Ltd.

SZSE:000682.SZ

7.32 (CNY) • At close October 26, 2023
Overzicht | Financiële gegevens

Cijfers zijn in miljoenen (behalve cijfers per aandeel en ratio's) CNY.

2023202220212020201920182017201620152014201320122011201020092008200720062005200420032002200120001999199819971996199519941993
Activa:
Vlottende activa:
Liquide middelen & kasequivalenten 3,311.6022,408.9562,165.1352,071.5841,998.0251,565.2561,472.502434.748513.516418.782427.583366.371345.386557.863405.402395.44438.813337.171325.674311.483322.464341.412502.459893.994692.15488.19245.09291.4998.2500
Kortetermijnbeleggingen 5089.78677.564237.7311601735053106.2-188.873000.14427.6650.08678.1286.370018.87805.85303029.924000000
Liquide middelen en kortetermijnbeleggingen 3,361.6022,498.7412,242.6992,309.3162,158.0251,565.2561,472.502434.748513.516418.782427.583366.371345.53557.863405.488395.44438.813337.171325.674330.362322.464347.262532.459923.994722.07888.19245.09291.4998.2500
Nettovorderingen 1,940.052,000.6751,891.8921,639.0151,696.0291,500.9251,500.9091,196.347879.92815.269900.986867.508742.431561.538526.118516.1461.94483.723437.351411.256479.692555.621573.9939.75736.668345.683207.887179.044134.99400
Voorraad 3,641.6673,158.5532,316.7051,746.6131,404.661958.54818.754837.677755.582757.647492.186363.284212.719140.409124.94140.13111.853106.74995.94880.93374.543101.863171.72381.07750.25251.43657.78626.27916.85600
Overige vlottende activa 167.647171.647107.60345.85923.137189.83767.371.87216.718215.245106.5-71.501-55.128-41.919-43.355-54.929-67.8010.0670.225-58.556-83.0120.359427.54275.502-68.726-57.106-53.719-42.357105.31103.593
Totaal vlottende activa 9,110.9667,829.6166,558.95,740.8035,281.8524,214.5573,859.4642,540.6412,365.7362,206.9441,830.7551,603.6631,229.1791,204.6821,014.6271,008.315957.676859.842859.04822.775818.142921.7351,278.5311,472.3681,084.499416.584253.659243.103117.742105.31103.593
Niet-vlottende activa:
Materiële vaste activa, netto 988.854830.365736.802660.969599.618590.711597.23529.117493.391475.969405.377368.782304.247309.136314.569340.292357.393633.096568.592645.846600.545589.927519.087351.051187.165130.38184.52951.12244.1945.45117.171
Goodwill 0000000000000000000000000000000
Immateriële activa 142.141142.671135.57132.997115.512115.718115.894115.074116.34108.46582.21680.14364.38859.37555.72951.16948.07826.77327.79930.0738.2357.65412.36215.33415.3275.3885.5345.3595.12400
Goodwill en immateriële activa 142.141142.671135.57132.997115.512115.718115.894115.074116.34108.46582.21680.14364.38859.37555.72951.16948.07826.77327.79930.0738.2357.65412.36215.33415.3275.3885.5345.3595.12400
Langetermijnbeleggingen 677.146310.942186.681-170.351-98.52159.977169.853176.825247.444282.93198.45390.31691.723077.30000-8.64400.32-20.917-20.45-25.044000000
Belastingvorderingen 68.45956.76957.85453.36743.15241.24936.336.06231.79132.87125.60117.53316.59416.1215.44514.44320.50600-000-020.4525.044000000
Overige niet-vlottende activa 154.768393.356380.889480.666319.52132.40112.1319.13713.723-1.238236.371240.241241.424276.23255.77312.51246.10511.214101.06720.6148.2445.85309.1544.5274.9314.9314.9550.1298.597.534
Totaal niet-vlottende activa 2,031.3681,734.1021,497.7961,157.649979.283940.056931.407866.215902.689898.997848.019797.015718.376660.861718.813718.414672.081671.083697.457687.889617.024603.75540.532375.539207.018140.794.99361.43549.44354.0424.705
Totaal activa 11,142.3359,563.7188,056.6966,898.4526,261.1355,154.6134,790.8713,406.8563,268.4253,105.9412,678.7742,400.6781,947.5551,865.5421,733.441,726.7291,629.7571,530.9261,556.4971,510.6641,435.1671,525.4851,819.0631,847.9071,291.517557.284348.652304.538167.185159.35128.298
Passiva en Eigen Vermogen:
Kortlopende verplichtingen:
Crediteuren 1,550.641,609.5361,296.551,057.9141,122.088746.461647.676487.362404.282473.528435.62381.696190.265198.84136.692167.53135.232101.389128.0194.80892.779103.309127.696104.12242.21132.94911.9087.37211.90700
Kortlopende schulden 429.684321.451139.82990.667117.8132.376.8843090.289144.77892.72464924242830.831.329.932.400319.293.536.642721.5510.800
Belastingschulden 24.371128.21597.93588.82461.17786.27970.61758.92223.47830.571-34.855-15.839-9.4443.36.2266.8592.3843.3562.6279.9515.2061.95216.69266.78342.22826.5650.139.542.43400
Uitgestelde opbrengsten 3,069.3392,160.3952,239.0791,812.21465.1760353.911314.087264.572224.944153.855132.78285.07875.05779.7997362.21847.0350.19369.53001,077.56284.18489.44944.2414.95628.91532.13800
Overige kortlopende verplichtingen 871.306739.02125.6924.471899.965898.462470.672462.522535.711424.076264.101185.799151.0290.33973.86281.41141.80223.94526.69427.67278.9711,186.24448.16337.60526.3527.9125.788.711.10257.58334.615
Totaal kortlopende verplichtingen 5,920.9694,830.4033,701.1492,965.2612,605.0281,777.2231,549.1431,293.9721,294.8531,267.326946.3764.278435.363388.236314.353349.942270.051203.665234.796224.411171.751,289.5531,256.418445.201161.512121.74159.64466.54855.94657.58334.615
Langlopende verplichtingen:
Langetermijnschulden 5.2725.3689.43616.133-0.0970006.26928.04243.76644.94200000000000014.4821.6913.6930.6918.5900
Uitgestelde opbrengsten niet-vlottend 1.6435.14638.67934.34432.83335.78835.36144.89142.08739.122000000000000000000000
Uitgestelde belastingverplichtingen niet-vlottend 26.14417.8326.08100.09700000000000000000000000000
Overige niet-vlottende verplichtingen 126.695112.67894.77680.7966.31660.48153.35742.17929.23817.76839.35623.4845.6518.0814.91.68.9238.0437.72317.52317.02317.023002.3732.6170.0140.0770.09215.41615.015
Totaal niet-vlottende verplichtingen 159.752171.024148.973131.26899.14896.26988.71887.0777.59484.93283.12268.4255.6518.0814.91.68.9238.0437.72317.52317.02317.0237.023016.85324.30713.70430.76718.68215.41615.015
Totaal passiva 6,080.7215,001.4273,850.1223,096.5292,704.1761,873.4931,637.8611,381.0411,372.4471,352.2581,029.422832.703441.015396.317319.253351.542278.974211.708242.519241.934188.7731,306.5761,263.441445.201178.365146.04873.34997.31574.6297349.63
Eigen vermogen:
Preferente aandelen 0000000000.5530.57700000000000000000000
Gewone aandelen 1,340.7271,340.7271,340.7271,340.7271,340.7271,340.727978.163978.163978.163978.163978.163978.163978.163978.163978.163978.163978.163978.163917.952917.952917.952917.952917.952917.952573.72245.88136.668.3585858
Ingehouden winsten 1,995.5441,579.4511,241.253899.87696.158455.971293.317232.786175.682128.036105.6970.46246.93926.59612.227-7.597-26.484-60.482-61.291-785.415-796.185-806.017-469.435226.692151.91972.62964.68330.4972.06500
Overige gereserveerde algehele resultaten 349.238330.256308.571294.332271.9831,217.403265.744262.789260.237-0.553-0.57700000000000000000000
Overige totale aandeelhoudersvermogen 898.545898.545917.692940.777951.1518.352205.44497.09898.61356.558348.792347.791347.052345.672343.944342.991344.756349.314415.9221,103.8681,103.60798.93797.671250.581381.90687.97767.17100.16326.61223.7820.668
Totaal eigen vermogen van aandeelhouders 4,584.0534,148.9793,808.2433,475.7063,260.0193,022.4531,742.6681,570.8361,512.6931,462.7581,432.6451,396.4161,372.1541,350.4311,334.3331,313.5571,296.4351,266.9951,272.5831,236.4041,225.374210.871546.1881,395.2251,107.545406.486268.453198.96186.67781.7878.668
Totaal eigen vermogen 5,030.2164,562.2924,206.5743,801.9233,556.9593,281.1213,153.012,025.8151,895.9781,753.6831,649.3511,567.9741,506.541,469.2251,414.1871,375.1881,350.7841,319.2181,313.9781,268.731,246.394218.909555.6221,402.7051,113.152411.236275.304207.22292.55681.7878.668
Totaal passiva en aandeelhoudersvermogen 11,142.3359,563.7188,056.6966,898.4526,261.1355,154.6134,790.8713,406.8563,268.4253,105.9412,678.7742,400.6781,947.5551,865.5421,733.441,726.7291,629.7571,530.9261,556.4971,510.6641,435.1671,525.4851,819.0631,847.9071,291.517557.284348.652304.538167.185154.78128.298